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Stocks surge on renewed trade optimism and dovish tones out of Washington. Plus big earnings movers: Southwest, Chipotle, IBM, and Texas Instrument. And CME Group CEO Terry Duffy joins us to break down market volatility and clear up confusion over their results
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Stocks ripping on Wall Street, as markets bounce back after Monday’s sell-off. The sectors seeing the biggest jumps, and how Tesla results are moving the stock. Plus Netflix shrugging off this year’s tariff concerns, jumping nearly 20% as the s&p 500 heads in the other direction. What the move could mean for the markets next move, and why one top tech analyst is calling the streaming giant “highly recessionary resistant”.
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Saknas det avsnitt?
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The Mag 7 all dropped sharply to kick off the week and chip stocks fell across the board. Tesla heads into earnings under pressure. And President Trump ramped up his attacks on Fed Chair Jerome Powell. We’ll get thoughts from Former Cleveland Fed President Loretta Mester. Plus, gold hits another record high, Uber faces a new lawsuit, and Disney gets a bullish call.
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Netflix on the move after beating expectations in its quarterly results. What we’re hearing on the company conference call, and how Netflix is faring in the streaming wars. Plus, Trump turning up the heat on the Fed. We break down what the Powell pressure means for markets, and get fresh insights from Morgan Stanley’s Katerina Simonetti. All that, and the big moves in pharma and healthcare as Eli Lilly and UnitedHealth head in very different directions.
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Stocks dropping as Nvidia gets hit, and a tariff warning out of Fed Chair Powell only made things worse. And while Gold hits fresh records, the disconnect between yields and the dollar is breaking down. Plus, as volatility stays elevated, investors are seeking shelter. The latest read on investor sentiment, and the top concerns impacting their portfolio moves.
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Shares of Netflix bucking today’s market malaise, but will the stock’s pop continue after it reports earnings on Thursday? Plus President Trump signing executive orders to rein in health care costs. What it means for the pharma industry and drug prices.
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Stocks kicking off the week with another volatile session. How the latest tariff headlines are causing even more market swings, why a technical ‘death cross’ is flashing warning signs in the S&P 500’s technicals, and why one currency expert says to steer clear of the U.S. dollar. Plus Why there’s more under the hood on EU auto imports & exports, and what “help” from Washington could look like as tariffs hit the industry.
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Stocks closing out an extremely volatile week, as daily tariff headlines whipsaw markets. How the latest tariff headlines are impacting stocks across the board, and what earnings season will bring to the table. Plus… The S&P 500 at a standoff. Why the chartmaster says the market is at a difficult level, and how the lines are looking on one streaming giant ahead of results next week.
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Stocks Drop After Historic Rally… And Banks Ready To Kick Off Earnings Season
Description: Stocks slump, bonds spike, and oil prices slide after yesterday’s massive rally. How Wall Street is sounding the alarm on a possible recession, and where you can hide out when even traditional safe havens aren’t working. Plus Taiwan Semi stumbles, the latest calls on auto stocks, and why one top bank analyst isn’t letting all the negative sentiment surrounding financials get in the way of his outlook.
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Stocks surge after Trump hits pause on most tariffs, but ups the ante in the China trade war. What one China expert sees in store next in the tariff tit-for-tat. And the impact the levees are having on pharma’s production pipeline. Plus Walmart yanks its guidance, Delta flies past earnings expectations, and the bond market stays stuck.
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Stocks giving up an early bounce, notching another brutal sell-off as tariff headlines weigh on Wall Street. The opinions and responses out of DC and Fed officials, and if the carnage will continue. Plus A potential port in the storm in private credit. Where our next guest sees opportunities and how he’s gearing up to deploy a whole lot of cash.
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The market sell-off rolls as the major indices whipsaw to start the week. How the latest tariff headlines are swinging stocks, and what an additional 50% tariff on China will mean in the trade war. We break down the threats, reactions, and strategy for navigating the volatility. Plus, Big Short investor Steve Eisman on why now’s not the time to be a hero in the market.
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Stocks plummeted to close out the week, as global markets reel from President Trump’s tariff plans. The sectors seeing the worst of the pain, and where you can find safety amid the turmoil. And it’s not just equities. The bond market dropping as a trade war ignites. Why our next guest isn’t seeing a lack of demand in treasurys, and how he sees the rate rout unfolding.
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Stocks are tumbling as tariffs take their toll, but will this cause the markets to reset? We’ll break down the impact on retail, international reaction, and what investors can expect in the coming weeks. Plus what to expect out of tomorrow’s jobs report, as volatility spikes as Trump’s tariff plans ripple across the market.
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President Trump outlining his tariff plans at a Rose Garden event this afternoon. We discuss the impact on the economy, autos, pharma and housing. Plus Amazon and Applovin among the names reportedly putting together bids for social media app TikTok. The state of play as the divestiture deadline approaches.
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We’re less than a day away from President Trump announcing plans for new and reciprocal tariffs. How the markets are bracing for the news. Plus gold hitting another record high during the session – can the momentum continue? And Coreweave gets a big endorsement from a tech investor, sending shares rocketing higher.
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The S&P and Dow eked out a gain on Monday but all indexes closed the quarter with significant losses. This as investors await the onset of President Trump’s tariffs and the announcement of reciprocal levies. Plus the FDA’s vaccine head abruptly resigned over the weekend. What that means for drug development in the U.S.
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The Nasdaq sank nearly 3 percent as long-term inflation expectations hit their highest level in 32 years. Will the volatility continue as we get ready to kick off the second quarter? Plus we’re days away from what President Trump has called “Liberation Day”. But what kind of tariffs should we expect and what will they mean for consumers?
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Auto stocks in the red as President Trump announces 25% tax on vehicles made outside the U.S. And it may not be the only sector facing tariff trouble. The other areas of the market at risk, and the impact it could have on the broader market. Plus The next move in energy, as the group leads the S&P 500 this year. Where one top oil analyst sees the space heading, and where he’s going long in the energy sector.
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Auto stocks are stalling out, as the Trump admin announces new import tariffs. What those taxes will look like, and how carmakers can handle the rough roads. Plus Hyperscale demand on the rise, as tech leans even more into AI. The names leading the charge, and how one tech giant’s pullback could mean big opportunity for its competitors.
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